Reconciliation of Bank Accounts
Reconciliation of Accounts Payable &Receivable.
Online Bank Transaction
Monitor Cash Activities. (Daily Cash Handling)
Financial Reports for Audit. (Balance Sheet & Profit & Loss Account Yearly & Half Yearly)
Internal Book Keeping.
Assist in preparing of Tax Returns
Assist in the Preparation of payroll.
Continuous audit of Store and outside parties Stock,
Asst. for Export documentation
Skills: Having experienced in data analysis and data management of fully integrated
Oracle based computerized system, ERP Odoo 18, SMACC, ERP
Tally, Having excellent command on MS Office package especially World,
Excel spread sheet,